IFF School of Energy Trading, Derivatives & Risk Management
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All you ever wanted to know about energy in just five days.
IFF has developed this groundbreaking training programme to link the practical skills, knowledge and techniques you need to succeed in the current global energy markets. This will enable you to exploit opportunities quickly and minimise your exposure to the associated risks.
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Your course programme at a glance:
DAY ONE
Understanding Products, Players & Developments: Electricity Markets, Natural Gas Markets, Oil & Coal Markets
DAY TWO
Energy Risk/Portfolio Management: Market Risk, Credit Risk Management
DAY THREE
Price Dynamics & Energy Derivative Valuation: Forward Curve Building & Dynamics
DAY FOUR
Trading Strategies as the Basis for Contract Valuation: Forward Hedging, Strategies, Option Positions & Delta Hedging, The Value of Gas Long-Term Contracts
DAY FIVE
Energy Valuation & Real Options: Net Present Value vs. Real Option Analysis, Optimal Timing of Investment Decisions, A Power Plant as a Sprea
Reasons why you must attend this course:
- The programme focuses on the key practical trading and risk issues in all the major energy markets.
- The practical focus of the course will expose you to the complex risks in the sector via our simulation sessions and equip you with cutting-edge tools to deal with them in the real world.
- Our faculty of internationally recognised experts are unrivalled in the training world. You are guaranteed to be learning from some of the finest minds in the business.
- The residential nature of the programme means that these hand-picked individuals will be able to work with you closely to ensure your practical knowledge grows substantially over the five intensive days.
- There is no other programme like it, you will benefit from 18 cutting-edge case-studies enabling you to apply what you have learned to any scenario.
Course dates:
21-25 May 2012
29 October - 2 November 2012
